Arootah
Systematic Fixed Income Portfolio Analyst – Client Role
Boston, MA
Sponsorship not specified$100k-$130kDetected 75 days ago
Machine LearningData EngineeringStatisticsResearch
About the role
- This role offers the opportunity to work alongside experienced portfolio managers, quantitative researchers, and technology professionals in a highly analytical, fast-paced environment.
- The ideal candidate is intellectually curious, technically skilled, and passionate about applying data-driven analysis to financial markets.
- This individual will contribute to portfolio analytics, investment research, risk evaluation, and the ongoing enhancement of systematic investment processes.
Responsibilities
- Support portfolio managers and investment teams through quantitative analysis, portfolio monitoring, and market research.
- Develop and maintain analytical tools used for portfolio evaluation and risk assessment.
- Collaborate with technology and research teams to improve workflow automation and reporting capabilities.
- Our client, a leading quantitative investment firm, is seeking a Systematic Fixed Income Portfolio Analyst to support its fixed income and macro investment initiatives.
Requirements
- Exposure to machine learning, cloud technologies, or data engineering tools is beneficial.
Nice to have
- Analyze large datasets to identify trends, anomalies, and actionable investment insights.
- Assist in the implementation and refinement of systematic investment approaches across fixed income markets.
- Evaluate portfolio exposures and assist with performance attribution and risk analysis.
- Produce reporting materials and investment analytics for internal stakeholders.
- Contribute to ongoing research projects related to financial markets, portfolio construction, and investment strategy development.
- Bachelor's or Master's degree in Mathematics, Statistics, Computer Science, Engineering, Economics, Finance, Physics, or another quantitative discipline.
- 1-4 years of experience in portfolio analytics, quantitative research, investment management, risk analysis, or financial technology.
- Familiarity with fixed income products, macroeconomic analysis, or systematic investment strategies is a plus.
Compensation
- $100k-$130k
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